Fiscal Period | 2025 | 2024 | 2023 | 2022 |
---|---|---|---|---|
Period End Date | Mar 25 | Mar 24 | Mar 23 | Mar 22 |
Cash Duefrom Banks | 79,061.75 | 44,057.17 | 26,491.24 | 22,677.59 |
Other Earning Assets Total | 2,84,255.00 | 2,57,809.68 | 2,03,839.45 | 1,87,374.20 |
Net Loans | 4,86,165.52 | 4,28,986.56 | 3,59,107.26 | 3,04,471.78 |
Property/ Plant/ Equipment Total- Net | 2,810.80 | 2,200.71 | 1,875.11 | 1,646.28 |
Goodwill Net | 947.76 | 947.76 | 813.75 | 813.75 |
Other Assets Total | 26,533.51 | 30,735.20 | 25,644.09 | 27,098.07 |
Total Assets | 8,79,774.34 | 7,67,666.96 | 6,20,429.73 | 5,46,497.91 |
Total Deposits | 4,94,707.48 | 4,45,268.76 | 3,61,272.62 | 3,10,086.89 |
Long Term Debt | 97,622.03 | 75,105.61 | 57,033.92 | 55,148.27 |
Total Long Term Debt | 97,622.03 | 75,105.61 | 57,033.92 | 55,148.27 |
Total Debt | 97,622.03 | 78,710.74 | 60,121.94 | 58,456.87 |
Other Liabilities Total | 1,29,955.48 | 1,09,558.28 | 84,103.57 | 79,001.09 |
Total Liabilities | 7,22,284.99 | 6,37,695.27 | 5,08,115.34 | 4,49,332.57 |
Common Stock Total | 994.11 | 993.96 | 993.28 | 992.33 |
Retained Earnings( Accumulated Deficit) | 1,56,400.97 | 98,489.77 | 82,637.85 | 68,494.97 |
ESOP Debt Guarantee | 94.27 | 79.29 | 60.31 | 31.31 |
Total Equity | 1,57,489.35 | 1,29,971.69 | 1,12,314.40 | 97,165.34 |
Total Liabilities Shareholders' Equity | 8,79,774.34 | 7,67,666.96 | 6,20,429.73 | 5,46,497.91 |
Total Common Shares Outstanding | 198.82 | 198.79 | 198.66 | 198.47 |
Tangible Book Valueper Share Common Eq | 787.35 | 647.22 | 556.82 | 481.63 |
period Length | 0.00 | 0.00 | 0.00 | 0.00 |
Property/ Plant/ Equipment Total- Gross | - | 6,401.58 | 5,583.30 | 3,938.99 |
Accumulated Depreciation Total | - | -4,200.88 | -3,708.19 | -2,292.71 |
Intangibles Net | - | 361.80 | 386.09 | 263.35 |
Long Term Investments | - | 1,689.47 | 1,452.09 | 1,307.52 |
Other Long Term Assets Total | - | 878.61 | 820.66 | 845.37 |
Accounts Payable | - | 3,032.48 | 1,555.92 | 888.13 |
Total Short Term Borrowings | - | 3,605.13 | 3,088.02 | 3,308.61 |
Other Currentliabilities Total | - | 878.41 | 845.80 | 682.09 |
Deferred Income Tax | - | 246.60 | 215.48 | 217.50 |
Preferred Stock- Non Redeemable Net | - | 0.00 | 500.00 | 500.00 |
Additional Paid- In Capital | - | 25,532.96 | 25,315.42 | 25,033.97 |
Unrealized Gain( Loss) | - | 4,331.68 | 2,300.05 | 1,774.74 |
Other Equity Total | - | 544.02 | 507.50 | 338.03 |
Total Preferred Shares Outstanding | - | 0.00 | 100.00 | 100.00 |
Kotak Mahindra Bank Prf Dividend Kotak Mahindra Bank Prf Bonus Kotak Mahindra Bank Prf News Kotak Mahindra Bank Prf AGM Kotak Mahindra Bank Prf Rights Kotak Mahindra Bank Prf Splits Kotak Mahindra Bank Prf Board Meetings Kotak Mahindra Bank Prf Key Metrics Kotak Mahindra Bank Prf Shareholdings Kotak Mahindra Bank Prf Profit Loss Kotak Mahindra Bank Prf Cashflow Kotak Mahindra Bank Prf Q1 Results Kotak Mahindra Bank Prf Q2 Results Kotak Mahindra Bank Prf Q3 Results Kotak Mahindra Bank Prf Q4 Results
Top GainersTop LosersIndian IndicesBSE Active StocksNSE Active Stocks